If the unemployment rate is 5.8% and the number of unemployed persons is 15 million, the labor force is approximately:___________A. 258 million.B. 25.8 million.C. 87 million.D. 870 million.E. 2.6 million.

Answers

Answer 1

Answer: 258 million

Explanation:

The labor force refers to the number of people who are employed and the unemployed who are also looking for work.

Let the labor force be represented by x. Based on the question given, we can form an equation which will be:

5.8% of x = 15 million

0.058x = 15 million

x = 15million / 0.058

x = 258 million

Therefore, the labor force is approximately 258 million.


Related Questions

Setting a passing score for whites at 80 out of 100 and a passing score of 60 out of 100 for minority applicants in an admission test is an example of race norming.
A. True
B. False

Answers

Answer: True

Explanation:

Race norming simply refers to the practice whereby two different cut off test scores are set for employment which is based on race. Race-norming, is also referred to as the within-group score conversion and it has to do with the adjustment of test scores in order to account for the ethnicity of the test-taker.

Since a passing score for whites was set at 80 out of 100 while a passing score of 60 out of 100 was set for the minority applicants, then it's an example of race norming.

Typical cash outflows of a project include all of the following except: A. the original investment B. depreciation expense. C. additional inventory required D. repairs and maintenance expenses E. all of the above are typical cash outflows.

Answers

Answer:

B. depreciation expense

Explanation:

Project cash flow can be regarded as how cash flows into as well as out of an organization with respect to a particular potential or existing project. Project cash flow encompass costs for such a project as well as the revenue.

conventional cash flow as regards a project is been structured typically as an initial outflow, which is then followed by inflows numbers over a particular period of time.

Typical cash outflows of a project include the following ;

✓the original investment

✓additional inventory required

✓repairs and maintenance expenses

Should the firms' overseas operations be judged by the standards (legal, economic, cultural, and moral) of the country in which it is operating or should they be judged by the standards of the U.S. market?

Answers

Answer: Standards of the country they operate in

Explanation:

Various countries have differing norms on what is legally, socially, morally and culturally acceptable. In order to be able to operate in those countries, companies would have to adapt to these requirements in order to maximize business operations.

It would therefore be illogical to judge these overseas operations in terms of the U.S. market which would be different from them. They should be judged on their own merit and then a standardizing factor can be used to relate them to the U.S. market to see whether they are performing well given their unique circumstances.

E-commerce activities that take place within an organization's data communication network are part of _____.

Answers

Answer:

intrabusiness

Explanation:

Intra-business e-commerce can be regarded as type of e-commerce whereby involved parties that are taking part in the electronic exchanges comes from within a particular firm or business. In a case, whereby e-commerce exchange does not have inclusion of numerous organizations then it can be regarded as Intra-business e-commerce. It is a developing field that It is a business plan that encourages data gathering as well as exchange within an organization, so that quick review of complaints as regards common people can be simply possible.

It should be noted E-commerce activities that take place within an organization's data communication network are part of intrabusiness.

Error costs are costs associated with ______________ by the cost management system and measurement costs are the costs associated with making poor decisions.

Answers

Measure is better than 6.5

Given that annual deposit rates for Dollars and Euros are 8% and 6% respectively for the next 5 years. If the current spot rate of the Euro is $1.1845, obtain the implied rate for the Euro five years from now if International Fisher Equation (IFE) holds exactly.

a. $1.5415
b. $1.2742
c. $1.4284
d. $1.3750
e. None of the above.

Answers

Answer:

is the a

Explanation:

The expenditures and receipts below are related to land, land improvements, and buildings acquired for use in a business enterprise. The receipts are enclosed in parentheses.
(a) Money borrowed to pay building contractor (signed a note) $(289,100 )
(b) Payment for construction from note proceeds 289,100
(c) Cost of land fill and clearing 11,860
(d) Delinquent real estate taxes on property assumed by purchaser 7,990
(e) Premium on 6-month insurance policy during construction 9,480
(f) Refund of 1-month insurance premium because construction completed early (1,580 )
(g) Architect’s fee on building 26,400
(h) Cost of real estate purchased as a plant site (land $202,900 and building $56,600) 259,500
(i) Commission fee paid to real estate agency 9,690
(j) Installation of fences around property 4,140
(k) Cost of razing and removing building 10,530
(l) Proceeds from salvage of demolished building (4,690 )
(m) Interest paid during construction on money borrowed for construction 12,230
(n) Cost of parking lots and driveways 17,750
(o) Cost of trees and shrubbery planted (permanent in nature) 13,350
(p) Excavation costs for new building 3,290
Identify each item by letter and list the items in columnar form, using the headings shown below. All receipt amounts should be reported in parentheses. For any amounts entered in the Other Accounts column, also indicate the account title. (Enter receipt amounts using either a negative sign preceding the number e.g. -45 or parentheses e.g. (45). If no entry is required in other accounts, select "No Entry" for the account titles.)
Item Land Land
Improvements Building Other Accounts
(a) $
$
$
$
(b)
(c)
(d)
(e)
(f)
(g)
(h)
(i)
(j)
(k)
(l)
(m)
(n)
(o)
(p)

Answers

Answer:

a)Other Accounts – $(289,100 )Notes Payable

b)Buildings – $289,100

c)Land – $11,860

d)Land – $7,990

e)Buildings – $9,480

f)Buildings – ($1,580)

g)Building – $26,400

h)Land – 259,500

i)Land – $9,690

j)Land Improvement – $4,140

k)Land – $10,530

l)Land – ($4,690 )

m)Buildings –$ 12,230

n)Land Improvement – $17,750

o)Land – $13,350

p)Buildings – $3,290

Explanation:

To Identify each item by letter and list the items in columnar form,

a)Other Accounts – $(289,100 )Notes Payable

b)Buildings – $289,100

c)Land – $11,860

d)Land – $7,990

e)Buildings – $9,480

f)Buildings – ($1,580 )

g)Building – $26,400

h)Land – 259,500

i)Land – $9,690

j)Land Improvement – $4,140

k)Land – $10,530

l)Land – ($4,690 )

m)Buildings –$ 12,230

n)Land Improvement – $17,750

o)Land – $13,350

p)Buildings – $3,290

Imagine that the Brazilian aircraft manufacturer Embraer purchases a 10 percent share of a Canadian aircraft distribution company, in order to facilitate the marketing and sales of its aircraft in Canada. This is an example of

Answers

Answer: Forward Integration

Explanation:

Forward integration is a process where a company takes over the control of another company that is further along in the value chain so that it might be able to sell or distribute is goods more effectively. For example, an oil company taking over a petroleum products company.

In this scenario, the Brazilian company purchased a huge part of a company further along in distribution in order to facilitate better sales so this is forward integration.

Timeliness of financial statements varies across nations.Which of the following countries has financial statements issued closest to year-end (on average)?
A) Japan
B) Germany
C) Canada
D) Italy

Answers

Answer: C. Canada

Explanation:

While Canada does not enforce a rule that says that companies should issue statements at year end, most companies on average seem to favor having a December year end in Canada than all the other countries on this list.

A survey in 2017 showed that 57% of Canadian companies favored a December year end with the other months not even receiving anything more than 7% each. Compared to the U.S. however, Canada is lacking as 71% or more American companies favored a December year end.

At the beginning of the year, SnapIt had $13,800 of inventory. During the year, SnapIt purchased $42,600 of merchandise and sold $35,700 of merchandise. A physical count of inventory at year-end shows $14,800 of inventory exists. Prepare the entry to record inventory shrinkage.

Answers

Answer:

Shrinkage = Closing inventory according to the books - Actual closing inventory after physical count

Closing inventory = Beginning inventory + Purchased inventory - Sold inventory

= 13,800 + 42,600 - 35,700

= $20,700

Date                   Account Title                                Debit               Credit

XX-XX-XXXX     Cost of Goods sold                  $20,700

                          Merchandise inventory                                      $20,700

The DEF partnership reported net income of $130,000 for the year ended December 31, 20X8. According to the partnership agreement, partnership profits and losses are to be distributed as follows in the following order:

D                         E                    F
Salaries                             $25,000              $20,000          $15,000
Bonus on net income         10%                        -----                  -----
Remainder                       60%                       30%                10%

Required:
How should partnership net income for 2008 be allocated to D, E, and F?

Answers

Answer:

The DEF Partnership

Allocation of Partnership Net Income for 2008:

                                        D             E              F                Total

Net income                                                                    $130,000

Salaries                      $25,000  $20,000  $15,000      (60,000)

Bonus on net income  13,000        -----           -----          (13,000)

Remainder                  34,200       17,100      5,700       (57,000)

Total allocation        $72,200    $37,100  $20,700    $130,000

Explanation:

a) Data and Calculations:

Net income for the year ended December 31, 2008 = $130,000

Order of distribution of partnership profits and losses:

                                        D             E              F

Salaries                   $25,000  $20,000  $15,000

Bonus on net income  10%          -----           -----

Remainder                  60%         30%           10%

Bonus on net income = $13,000 ($130,000 * 10%)

Remainder after salaries and bonus = $57,000 ($130,000 - $73,000)

D = $34,200 ($57,000 * 60%)

E = $17,100 ($57,000 * 30%)

F = $5,700  ($57,000 * 10%)

Mo will receive a perpetuity of $27,000 per year forever, while Curly will receive the same annual payment for the next 40 years. If the interest rate is 7.1 percent, how much more are Mo's payments worth

Answers

Answer:

380281.69-360900.85=19380.84

Explanation:

Perpetuity present value, PV=A/rate

Ordinary Annuity present value, PV= A[(1-(1+7.1%)^40)/7.1%)]

what sets one organization apart from others and provides the firm with a distinctive edge for meeting marketplace needs is known as _____ a target market by decentralization c competitive distinction d competitive advantage e core competency

Answers

Answer: Competitive Advantage

Explanation:

The competitive advantage of a company is that thing that gives it an edge over its competitors such that it sells more than them even though they offer similar products.

A competitive advantage is therefore what gives a company abnormal profits in a competitive market and is necessary to survive in the tough markets of the world. Walmart for instance, has the competitive advantage of getting goods at the cheapest rates which allows them to make higher profits when they resell.

An expansion/ boom can be stabilized/fixed by following expansionary fiscal policy. Expansionary monetary policy used to fix stagflation can worsen the problem of inflation. Recession caused by a negative demand shock is fixed by an expansionary monetary policy. A boom can be stabilized/fixed by following contractionary monetary policy.

Answers

Answer:

An expansion/ boom can be stabilized / fixed by following expansionary fiscal policy.

Explanation:

The statement mentioned above is not correct, rest of all the statements are correct. An expansionary fiscal policy is used when money supply is increase in the economy. This will raise spending and taxes will be cut down in order to increase investments in the country.

Item65eBookItem 65When managers identify a market trend that suggests a new opportunity and then devise a strategy to go after this new opportunity, they are involved in the function of

Answers

Answer:

Planning.

Explanation:

A manager can be defined as an individual who is saddled with the responsibility of providing guidance, support, supervision, administrative control, as well as acting as a role model or example to the employees working in an organization by being morally upright.

Planning can be defined as the process of developing organizational objectives and translating them into action plans or courses of action.

This ultimately implies that, planning is a strategic technique used by organizations to make an aggregate plan for its manufacturing (production) process typically ahead of time, in order to have an idea of the level of goods that are to be produced and what resources are required so as to reduce the total cost of production to its barest minimum.

When managers identify a market trend that suggests a new opportunity and then devise a strategy to go after this new opportunity, they are involved in the function of planning.

Texas Curtain Works is in the process of preparing its budget for next year. Cost of goods sold has been estimated at 70 percent of sales. Fabric purchases and payments are to be made during the month preceding the month of sale. Wages are estimated at 20 percent of sales and are paid during the month of sale. Other operating costs amounting to 25 percent of sales are to be paid in the month following the month of sales. Sales revenue is forecasted as follows:
Month Sales
February $440,000
March $450,000
April $480,000
May $500,000
June $510,000
What is the amount of fabric purchases during the month of March?
a) $480,000
b) $336,000
c) $288,000
d) $300,000

Answers

Answer:

b. $336,000

Explanation:

Here, the Fabric purchases & payments are to be made during the month before the month of sale.

The Amount of fabric purchases during the month of march = 70% of sales of the month of April

Purchases of March = 70% * $480,000

Purchases of March = 0.70 *$480,000

Purchases of March = $336,000

So, the amount of fabric purchases during the month of March is $336,000.

What is the role of a consumer in the economy nation

Answers

They demand goods and services.

A buyer has decided to offer $335,000 for a home that she really likes. The bank will loan her 80% of the purchase price for 30 years at 5% interest. What will be the amount of her principal and interest payment if the requirement is $5.68 per thousand of the loan amount?

Answers

Answer:

We have:

Amount of principal = $268,000

Interest payment = $1,522.24

Explanation:

These can be calculated as follows:

Loan principal = Cost of the home * Percentage to borrow = $335,000 * 80% = $268,000

Interest payment = (Loan principal / $1,000) * $5.68 = ($268,000 / $1,000) * $5.68 = 268 * $5.68 = $1,522.24

Therefore, we have:

Amount of principal = $268,000

Interest payment = $1,522.24

A company is considering investing in a new machine that requires a cash payment of $38,198 today. The machine will generate annual cash flows of $15,904 for the next three years. What is the internal rate of return if the company buys this machine?

Answers

Answer:

Internal rate of return = 12%

Explanation:

Below is the calculation of internal rate of return:

The new machine requires cash payment = $38198

Annual cash flows = $15904

Time period = 3 years

First divide the cash payment with the annual cash flow and then look at the factor table to find the interest rate at 3rd year.

Factor = 38198 / 15904 = 2.40

Now look the value 2.40 in the table:

Thus Internal rate of return = 12%

1) A First National Bank depositor made out a deposit slip showing currency of $620.00, coins of $13.25,
and two checks for $113.30 and $174.00. Compute the total deposit shown on the deposit slip.
(2 pts)
$920.55
$902.55
$633.25
$820.55

Answers

Answer:

The right answer is "$907.30".

Explanation:

Given that:

Currency,

= $620.00

Two checks,

= $113.30

and,

= $174.00

Now,

The total deposit shown will be:

= [tex]Currency+2 \ checks[/tex]

By substituting the values, we get

= [tex]620.00+(113.30+174.00)[/tex]

= [tex]620.00+287.3[/tex]

= [tex]907.30[/tex] ($)

Giorgio Italian Market bought $8,800 worth of merchandise from Food Suppliers and signed a 90-day, 6% promissory note for the $8,800. Food Supplier's journal entry to record the collection on the maturity date is: (Use 360 days a year.)

Answers

Answer and Explanation:

The journal entry to record the collection is shown below:

Cash  $8,932  

       To Interest Revenue  $132 ($8,800 ×90 ÷ 360 × 6%)

       To Notes Receivable  $8,800

(being the collection is recorded)

Here cash is debited as it increased the assets, credited the interest revenue and note receivable as it increased the revenue but decreased the assets

Globalization of Market is taking place because of ___________.

Answers

Because it involves the growing in third dependency among. The Konomi‘s of the world; mold to national nature of sourcing, manufacturing, trading and investment activities increasing frequency of cross-border.

Your parent offer you the opportunity to invest 5,000,000,000 VND in new beverage shop
(coffee/ milk tea/ bubble tea …) on the existing building on their property. It is located in the
city centre. This building has 200m2 of space. Assumed that the project lasts 10 years,
opportunity cost of capital is 10%, corporate income tax is ignored.
a. You should make some assumptions and forecast initial investment (cost of repairing
old building and purchase of fixed assets); operation cash flow (annual sale revenue
price per cup of drinks, number of cups of drinks per year, all relevant costs of
operating, depreciation expenses, profit and cash flow from operation); and cash flow
from changes in working capital. For each of assumption, clarify and explain in details
the amount forecasted.
b. For this project, calculate:
- NPV (Net present value)
- Payback period
- Profitability index
c. Do you invest this project? Why?

Answers

profitability index

Explanation:

our money will be save for our future

Consider two college roommates, one who smokes and one who does not. The smoker wishes to smoke in the room, and the nonsmoker dislikes smoking in the room. Suppose the smoker would be willing to pay $500 to be allowed to smoke in the room during the semester, and the nonsmoker would be willing to pay $600 to keep the room smoke-free. What should happen in the socially optimal outcome

Answers

Answer:

The socially optimal outcome is that there will be no smoking in the room.

Explanation:

The above answer is  based on the willingness of the nonsmoker to ensure that no smoking happens in the room.  For instance, the nonsmoker can pay off the smoker, paying $600 to dissuade him from smoking in the room. On the contrary, the smoker is only willing to cough out $500, which is less than $600, in order to smoke in the room. Under social optimality, the nonsmoker wins this game.

LUVFINANCE, Inc. is estimating its WACC. The firm could sell, at par, $100 preferred stock that pays a 10 percent annual dividend and incurs 4.72% flotation costs. What is the cost of new preferred stock financing?

Answers

Answer:

The answer is "10.49%".

Explanation:

Preference inventory values are incurred as described below:

Using formula:

[tex]= \frac{Annual \ \ dividend}{ Price \times (1 - flotation\ cost) ]}[/tex]

[tex]= \frac{\$ 10}{[ \$ 100 \times (1 - 0.0472) ]}\\\\= \frac{\$ 10}{ \$ 100 \times (0.9528) }\\\\= \frac{\$ 10}{ \$ 95.28}\\\\=0.10495\\\\=10.49\%[/tex]

Exercise 4-11 Computing net sales for multiple-step income statement LO P4 A company reports the following sales-related information. Sales, gross $ 245,000 Sales returns and allowances $ 20,000 Sales discounts 4,900 Sales salaries expense 10,900 Prepare the net sales portion only of this company’s multiple-step income statement.

Answers

Answer:

Net sales revenue= 220,100

Explanation:

Giving the following information:

Sales, gross $ 245,000

Sales returns and allowances $ 20,000

Sales discounts 4,900

Sales salaries expense 10,900

Sales salaries expense is not a part of the net sales in a multiple-step income statement. The net sales are as follow:

Sales= 245,000

Sales returns and allowances=  (20,000)

Sales discounts= (4,900)

Net sales revenue= 220,100

Steve is the librarian in his city's library. The library provides group diability insurance where premiums are paid by employees with after-tax dollars. He enrolls in a policy through the employer that provides a benefit of $4,200 a month. If he is in the 25% tax bracket and is disabled, what are his benefits after tax?

a. $0.
b. $1,050.
c. $3,150.
d. $4,200.

Answers

Answer: $4200

Explanation:

Tax benefit refers to the reduction in the tax liability which is enjoyed by an individual and helps the individual reduce his or her tax burden.

Since we are already given the information that Steve enrolls in a policy through the employer that provides a benefit of $4,200 a month, then his benefits after tax is $4200.

Phương pháp công ty Samsung xác định giá, phân tích ưu/ nhược điểm:
help me

Answers

I’m not sure how to help you.

Bantam company calculated its net income to be $38,775 based on the unadjusted trial balance. The following adjusting entries were then made for:

Salaries and wages owed but not yet paid of $395.
Interest earned but not received from investments of $375.
Prepaid insurance premiums amounting to $275 have expired.
Unearned revenue in the amount of $805 has now been earned.

Required:
Determine the amount of net income (loss) that will be reported after the adjustments are recorded.

Answers

Answer:

the amount of net income or loss is $39,285

Explanation:

The computation of the amount of net income or loss is shown below:

= Net income + interest earned + unearned revenue - salaries & wages - prepaid insurance

= $38,775 + $375 + $805 - $395 - $275

= $39,285

hence, the amount of net income or loss is $39,285

The same should be considered and relevant

On January 2, 2020, Orange Corporation purchased equipment for $300,000 with an ADS recovery period of 10 years and a MACRS useful life of 7 years. Section 179 was not elected. MACRS depreciation properly claimed on the asset, including depreciation in the year of sale, totaled $79,605. The equipment was sold on July 1, 2021, for $290,000. As a result of the sale, the adjustment to taxable income needed to arrive at current E & P is:_________

a. No adjustment is required.
b. Increase $49,605.
c. Decrease $79,605.
d. Decrease $49,605,

Answers

Answer:

decrease $49,605

Explanation:

corporation purchased eqipment = $ 300000

ADS recovery period = 10 years

MACRS useful life of 7 years

th eequipment sold for $290,000

The result is option d. Decrease $ 49,605

Other Questions
4+4+8+8+422+33+65520222222+222 There are 35 times as many students at Wow University as teachers. When all the students andteachers are seated in the 8544 seat auditorium, 12 seats are empty. How many students attendWow University? Help asap!!!!!!A.B.C.D. How have security changes affected Americans lives since September 11, 2001? Check all that apply.There are more checkpoints along borders with Mexico and Canada. Citizens can be charged with treason for not cooperating with the government.A new agency, the TSA, enforces stricter screenings of airline passengers. Citizens must consent to wiretaps and property searches when asked. Border patrol agents check the passports of people entering the United States. Red-feathered and blue-feathered birds occupy the same environment. The birds with the red feathers are better able to survive and avoid predators. This means that the population of red-feathered birds will increase in future generations. This illustrates the process of explain and justify the saying: To remain ignorant of history is to remain forever a child. Escreva a matriz A = (aij) do tipo 3x4 sabendo que aij = 3i 2j. n 9What should you check to decidea speed is safe for your boat?Aoperator's age and experienceBwind and water conditionsvessel's capacity plateDspeed of other vessels Directions: Read the given questions carefully. Choose the letter of your answer and write it on the space before the number. 1. With varying success, many women around the world today struggle for equal rights. Historically, women have achieved greater equality with men during periods of social adversity. What feature of academic writing is evident in this statement? A. Clear and Limited Focus B. Logical Structure C. Evidence - Based Arguments D. Impersonal Tone2. Social studies classes focus on the complexity of our social environment. The subject combines the study of history and the social sciences and promotes skills in citizenship. What feature of academic writing is manifested in the paragraph?. Clear and Limited Focus B. Logical Structure C. Evidence - Based Arguments D. Impersonal Tone 3. Infant studies indicate that humans are born with an innate love of sweets. Based on statistics, a lot of people in Great Britain must be smiling because on average, every man, woman and child in that country consumes 95 pounds of sugar each year. What feature of academic writing is manifested in the paragraph? . Clear and Limited Focus B. Logical Structure C. Evidence - Based Arguments D. Impersonal Tone 4. What feature of academic text states that each sentence and paragraph must logically connects to the next in order to present a clear argument? A. Clear and Limited Focus B. Logical Structure C. Evidence - Based Arguments D. Impersonal Tone5. While most people think of dogs as pets, some dogs are bred and trained specifically for certain types of work. The bloodhound's acute sense of smell and willing personality make it ideal for tracking people missing in the woods. What does the second sentence do? . It makes a contrast . It states an effectC. It draws a conclusion D. It restate the idea found in the first help ill give brainliest please hurry A bullet fired vertically at a velocity of 36m/s .after 45 the bullet hit the top of a bulid how height is a bulid? Any effort by the Federal Trade Commission (FTC) to evaluate expected deceptive marketing practices would be seriously flawed because it would mean punishing business on the basis of what the FTC thinks might happen rather than on what actually does happen.a. Trueb. False family of solutions of the second-order DE y y 0. Find a solution of the second-order IVP consisting of this differential equation and the given initial conditions. 12. y(1) 0, y(1) e Hartford, Inc. manufactures a single product. Shown are projected revenues and costs based on last year's income statement (8,000 units) and practical capacity (10,000 units). The costs are either variable, fixed, or mixed (part variable and part fixed.) You need to figure out what the cost type is based on the cost behavior.Last Year(8,000 units) Practical Capacity(10,000 units) Total Per Unit Total Per UnitRevenue $800,000 $100.00 $1,000,000 $100.00Costs: Direct Material $200,000 $25.00 $250,000 $25.00Direct Labor $160,000 $20.00 $200,000 $20.00Mfg. Overhead $180,000 $22.50 $200,000 $20.00Selling Expenses $40,000 $5.00 $50,000 $5.00Admin. Expenses $50,000 $6.25 $50,000 $5.00Total Costs $630,000 $78.75 $750,000 $75.00Pre-Tax Profit $170,000 $250,000 RequiredAssume that Hartford expects to sell the same number of units as last year in their normal distribution channels (8,000 units). They have received an offer from a one-time customer (not part of their normal customer mix) to buy 1,000 units (additional to their expected normal sales) at a price of $71. By how many dollars would pre-tax profit increase or decrease if Hartford accepts the special order? (9 points) A certain forest covers an area of 3600km^2. Suppose that each year this area decreases by 6%. What will the area be after 8 years? A computer programmer speaks about new software. What is likely to happen to Colombia if it cannot prevent its farmers from growing coca? Solve for x. Round to the nearest tenth of a degree, if necessary. 8. If a moving object triples its speed, how much kinetic energy will it have? A. six times as much as before B. three times as much as before C. one third as much as before D. nine times as much as before A 46.6-mgmg sample of boron reacts with oxygen to form 150 mgmg of the compound boron oxide. Part A What is the empirical formula of boron oxide